Vanguard 500 Index Fund

as of:
Stock Holdings

506 Holdings
1-50 of 506 |   Next>

Holding Shares Market Value
Bank of America Corp.138,978,867$2,243,118,913
General Electric Co.124,413,845$3,886,688,518
Microsoft Corp.106,349,595$6,110,847,729
AT&T Inc.83,288,035$3,404,814,871
Pfizer Inc.82,055,233$2,855,522,108
Apple Inc.74,108,456$7,862,907,182
Cisco Systems Inc.68,049,539$2,139,477,506
Intel Corp.63,886,723$2,292,894,488
Wells Fargo & Co.62,509,774$3,175,496,519
Exxon Mobil Corp.56,102,765$4,888,794,942
Verizon Communications Inc.55,150,981$2,886,050,836
Ford Motor Co.52,793,184$665,194,118
Coca-Cola Co.52,679,600$2,287,875,028
JPMorgan Chase & Co.49,474,185$3,339,507,488
Oracle Corp.42,108,714$1,735,721,191
Citigroup Inc.39,709,501$1,895,731,578
Merck & Co. Inc.37,450,125$2,351,493,349
Johnson & Johnson37,215,372$4,441,282,494
Procter & Gamble Co.36,014,306$3,144,409,057
Comcast Corp. Class A32,710,709$2,134,700,869
Facebook Inc. Class A31,278,879$3,944,892,219
Altria Group Inc.26,470,539$1,749,437,923
EMC Corp.26,428,664$766,166,969
Visa Inc. Class A25,771,002$2,084,874,062
Chevron Corp.25,499,504$2,564,740,112
Kinder Morgan Inc./DE24,759,437$540,993,698
Berkshire Hathaway Inc. Class B23,802,986$3,582,111,363
HP Inc.23,135,565$332,458,069
Bristol-Myers Squibb Co.22,584,963$1,296,151,027
Hewlett Packard Enterprise Co.22,487,184$483,024,712
US Bancorp21,957,607$969,428,349
AbbVie Inc.21,882,267$1,402,653,315
Mondelez International Inc. Class A20,996,081$945,243,567
Philip Morris International Inc.20,988,007$2,097,331,540
Wal-Mart Stores Inc.20,662,113$1,476,101,353
Morgan Stanley20,442,505$655,386,710
Walt Disney Co.20,194,783$1,907,599,202
Abbott Laboratories19,879,332$835,329,531
QUALCOMM Inc.19,873,994$1,253,452,802
Starbucks Corp.19,819,323$1,114,440,532
Twenty-First Century Fox Inc. Class A19,663,078$482,531,934
PepsiCo Inc.19,542,546$2,086,166,786
Medtronic plc19,024,171$1,655,673,602
General Motors Co.18,958,383$605,151,585
Schlumberger Ltd.18,798,165$1,485,055,035
Boston Scientific Corp.18,355,544$437,229,058
Gilead Sciences Inc.18,019,142$1,412,340,350
NIKE Inc. Class B18,014,963$1,038,382,467
Freeport-McMoRan Inc.17,990,341$185,120,609
Alcoa Inc.17,803,334$179,457,607
506 Holdings
1-50 of 506 |   Next>